I just think many NEU investors are sitting on high returns with sphincters twitching, thinking it’s all too good to be true and scared that it actually is - a catalyst was lit and off the races they went, ensuring the gains were locked in.
I think this week will come with more volatility early, with the realization soon after ACADs 27 Feb earnings update that they may have pulled the trigger early. I certainly hope that’s the case.
I am personally locked and loaded until buy out whatever that looks like - so as hard as it is to see paper losses in the extreme for me, in Jon I still trust.
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